Invest
SUBSCRIPTION OF FUND UNITS
In order to purchase fund units via your account with us, simply deposit the payment on the bank account of the selected fund and provide your client number or personal identification/company number as a reference.
SUBSCRIPTION OF FUND UNITS
In order to purchase fund units via your account with us, simply deposit the payment on the bank account of the selected fund and provide your client number or personal identification/company number as a reference.
Note that complete account opening documents must be received by us before a purchase transaction may be carried out. Please see more information under New client.
REDEMPTION OF FUND UNITS
In order to execute a sale of fund units via your account with us, please use our redemption form. Complete the form, sign it and send it to us.
Below, you will find information regarding the fund’s specific cut-off times and trading days. Here you will find the payment instructions.
OVERVIEW TRADING DAYS
You can also purchase the fund through one of our resellers, you can find them here: Resellers.